Guidelines for Submission of Data: Foreign Exchange Transactions Electronic Reporting System (FETERS) Reporting to RBI: Naming Convention:

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1 Guidelines for Submission of Data: Foreign Exchange Transactions Electronic Reporting System (FETERS) Nodal offices of Authorised Dealer (AD) banks are required to report purpose, country, currency and other details of their foreign exchange sale and purchase transactions in Foreign Exchange Transaction Electronic Reporting System (FETERS) to the Reserve Bank on a fortnightly basis in the prescribed format since October These are primarily required for compilation of India s Balance of Payments (BoP) statistics as per international guidelines given by the International Monetary Fund (IMF), and other policy making by the Reserve Bank and are also used for other macroeconomic management purposes. With the signing of General Agreement on Trade in Services (GATS) under World Trade Organisation (WTO), the member countries are required to disseminate the data on international trade in services as per Manual on Statistics on International Trade in Services (MSITS). Accordingly, detailed BoP statistics is released on a quarterly basis and BoP for services is released on a monthly basis. In order to meet the requirement of compilation of BoP Statistics as per the guidelines under the Balance of Payments and International Investment Position Manual (6th edition) (BPM6) of the IMF, the scope of collection of data on foreign exchange transactions has to be widened. The Working Group on Balance of Payments Manual for India (Chairman: Shri Deepak Mohanty) constituted by the Reserve Bank inter alia reviewed the existing methodology for compilation of India s BoP consistent with BPM6 guidelines. The Working Group made several recommendations for improving the present compilation procedure as well as presentation of India s BoP statistics conforming to international best practices (For details, see report at web-link: In order to meet those national perspectives, the purpose codes have been revised and given in Annex I and the structures of four ASCII files to be submitted under FETERS are given in Annex II. The revised system is for reporting of R-Returns for forex transactions performed w.e.f. April 1, Reporting to RBI: Banks may submit datafiles on a fortnightly basis (i.e., 15th and end-month), as at present, by to rreturn@rbi.org.in within one week of the last date of the fortnight. The electronic reporting system is in addition to the submission of R-Return cover page. Naming Convention: The file name should start with BANKCODE_ for each FETERS file to be submitted to the Reserve Bank. For example, if bank code is 639, the file name should be: 639_BOP6.TXT for BoP6 file 639_ENC.txt for ENC file 639_sch3to6.txt for SCH3to6 file 639_QE.txt for QE file File Layout Changes: A comparison of the file layouts with the previous version is given below: Sl. File Name Previous Revised Reason No. Width Width 1 BankCode_BOP6.txt Amount width increased to 15 2 BankCode_ENC.txt Invoice value width increased to 15 Shipping_bill_No. width increased to 13 CSN width increased to 14 3 BankCode_SCH3TO6.txt Invoice Value width increased to 15 Realised Value width increased to 15 Shipping_bill_No. width increased to 13 4 BankCode_QE.txt Amount width increased to 15 5 BankCode_URS6.txt Discontinued Page 1 of 18

2 Delimiter: The FETERS files should be ASCII files with one record per line. All fields in each file should be delimited with the delimiter Reporting of Non-applicable items: In cases where an item is not be relevant for a set of transactions of certain purposes, irrelevant fields/ data items may be kept blank in the text file. Structure of this file has been designed in such a way that, many blank fields do not appear in between two relevant fields. Consistency Checks: In order to ensure accurate reporting of data by ADs, FETERS contains consistency checks. These checks need to be ensured for the entire fortnight and relevant with currency-wise x itemwise cover-page totals. Checks are also introduced for checking the closing balances using the following relationship before submitting data to the Reserve Bank: Closing Balances = Opening Balances + Total Purchases - Total Sales Inter-relationship among FETERS files: The following inter-relationship among files BOP6.TXT, QE.TXT and R-Return cover page should be ensured. Name Imports (S0101, S0102, S0103 & S0109) Intermediary imports (S0104 & S0108) Non-import (Other than Imports) Sale to Other ADs in India Coverage (Transactions to be reported ) in File BOP6.TXT Coverage in File QE.TXT* All the individual transactions below Rs.5 lakh code S0190 ~ All the individual transactions above or equivalent of Rs.5 lakh code S0191 ~ All the individual transactions code S0144 ~ All the individual transactions below Rs.5 lakh code S1590 ~ All the individual transactions above or equivalent of Rs.5 lakh code S1591 ~ No individual Transaction to be Reported code S0092 ~ Sale to RBI No individual Transaction to be Reported code S0091 ~ Sales to Overseas No individual Transaction to be Reported code S0093 ~ Banks / correspondents Sales to branches by A- Category Exports (P0101, P0102, P0103 & P0109) Intermediary exports (P0104 & P0108) No individual Transaction to be Reported code S0095 ~ All the individual transactions (i.e. N/P/D, advance received during fortnight, Collection realised during fortnight) code P0100 ~ All the individual transactions code P0144 ~ Item No. R-Return (Nostro) I. A. (i) I. A. (ii) I. B. I. C. (i) I. C. (ii) I. D I. E I. F No reporting Total of II. A(i) (a), II. A(i) (b), II. A(ii) II. B. Page 2 of 18

3 Non-Export (Other than Exports) All the individual transactions related to Non- Export (Other than Exports) below equivalent of Rs.5 lakh All the individual transactions related to Non- Export (Other than Exports) above or equivalent of Rs 5 lakh code P1590 ~ code P1591 ~ Purchase from Other ADs in India No individual Transaction to be Reported code P0092 ~ Purchase from RBI No individual Transaction to be Reported code P0091 ~ Purchases from No individual Transaction to be Reported code P0093 ~ Overseas Banks / correspondents Purchases from branches by A- Category Opening Balance Closing Balance No individual Transaction to be Reported code P0095 ~ With purpose code P2088/S2088 With purpose code P2199/S2199 II. C(i). II. C(ii). II. D II. E II. F No reporting Net amount (Total III A to III H) Net amount (Total IV A to IV H) *In case of Nostro, Currency wise fortnightly aggregate; in case of Vostro, Currency X Country of Vostro A/C holder wise fortnightly aggregate Helpdesk: To ensure accuracy of the format of the ASCII file generated by their interface, if necessary, ADs may contact us for guidance at the following address: The Director, Balance of Payments Statistics Division, Department of Statistics and Information Management (DSIM) Reserve Bank of India, C-8/9, Bandra-Kurla Complex, Mumbai Helpdesk Contacts: feters@rbi.org.in Tel No. : (022) / / Fax No. : (022) / / Page 3 of 18

4 Annex I: Codes for Reporting under FETERS A. Payment s (for use in BOP file) Gr. No. 00 Group Name Capital Account Code S0017 S0019 S0026 S0027 S0099 Financial Account Foreign Direct S0003 Investments S0004 Foreign Portfolio Investments External Commercial Borrowings Short term Loans Banking Capital S0005 S0006 S0007 S0008 S0001 S0002 S0009 S0010 S0011 S0012 S0013 S0014 S0015 S0016 Acquisition of non-produced non-financial assets (Purchase of intangible assets like patents, copyrights, trademarks etc., land acquired by government, use of natural resources) Government Acquisition of non-produced non-financial assets (Purchase of intangible assets like patents, copyrights, trademarks etc., use of natural resources) Non-Government Capital transfers ( Guarantees payments, Investment Grand given by the government/international organisation, exceptionally large Nonlife insurance claims) Government Capital transfers ( Guarantees payments, Investment Grand given by the Non-government, exceptionally large Non-life insurance claims) Non-Government Other capital payments not included elsewhere Indian Direct investment abroad (in branches & wholly owned subsidiaries) in equity Shares Indian Direct investment abroad (in subsidiaries and associates) in debt instruments Indian investment abroad in real estate Repatriation of Foreign Direct Investment made by overseas Investors in India in equity shares Repatriation of Foreign Direct Investment in made by overseas Investors India in debt instruments Repatriation of Foreign Direct Investment made by overseas Investors in India in real estate Indian Portfolio investment abroad in equity shares Indian Portfolio investment abroad in debt instruments Repatriation of Foreign Portfolio Investment made by overseas Investors in India in equity shares Repatriation of Foreign Portfolio Investment made by overseas Investors in India in debt instruments Loans extended to Non-Residents Repayment of long & medium term loans with original maturity above one year received from Non-Residents Repayment of short term loans with original maturity up to one year received from Non-Residents Repatriation of Non-Resident Deposits (FCNR(B)/NR(E)RA etc) Repayment of loans & overdrafts taken by ADs on their own account. Sale of a foreign currency against another foreign currency Page 4 of 18

5 Gr. No. Group Name Financial Derivatives and Others Code S0020 Payments made on account of margin payments, premium payment and settlement amount etc. under Financial derivative transactions. S0021 Payments made on account of sale of share under Employee stock option S0022 Investment in Indian Depositories Receipts (IDRs) S0023 Remittances made under Liberalised Remittance Scheme (LRS) for Individuals External S0024 External Assistance extended by India. e.g. Loans and advances Assistance extended by India to Foreign governments under various agreements S0025 Repayments made on account of External Assistance received by India. 01 Imports S0101 Advance payment against imports made to countries other than Nepal and Bhutan S0102 Payment towards imports- settlement of invoice other than Nepal and Bhutan S0103 Imports by diplomatic missions other than Nepal and Bhutan S0104 Intermediary trade/transit trade, i.e., third country export passing through India S0108 Goods acquired under merchanting / Payment against import leg of merchanting trade* S0109 Payments made for Imports from Nepal and Bhutan, if any 02 Transport S0201 Payments for surplus freight/passenger fare by foreign shipping companies operating in India S0202 Payment for operating expenses of Indian shipping companies operating abroad S0203 Freight on imports Shipping companies S0204 Freight on exports Shipping companies S0205 Operational leasing/rental of Vessels (with crew) Shipping companies S0206 Booking of passages abroad Shipping companies S0207 Payments for surplus freight/passenger fare by foreign Airlines companies operating in India S0208 Operating expenses of Indian Airlines companies operating abroad S0209 Freight on imports Airlines companies S0210 Freight on exports Airlines companies S0211 Operational leasing / Rental of Vessels (with crew) Airline companies S0212 Booking of passages abroad Airlines companies S0214 Payments on account of stevedoring, demurrage, port handling charges etc.(shipping companies) S0215 Payments on account of stevedoring, demurrage, port handling charges, etc.(airlines companies) S0216 Payments for Passenger - Shipping companies Page 5 of 18

6 Gr. No. Group Name Code S0217 Other payments by Shipping companies S0218 Payments for Passenger - Airlines companies 02 Transport S0219 Other Payments by Airlines companies S0220 Payments on account of freight under other modes of transport (Internal Waterways, Roadways, Railways, Pipeline transports and others) S0221 Payments on account of passenger fare under other modes of transport (Internal Waterways, Roadways, Railways, Pipeline transports and others) S0222 Postal & Courier services by Air S0223 Postal & Courier services by Sea S0224 Postal & Courier services by others 03 Travel S0301 Business travel. S0303 Travel for pilgrimage S0304 Travel for medical treatment S0305 Travel for education (including fees, hostel expenses etc.) S0306 Other travel (including holiday trips and payments for settling international credit cards transactions) 05 Construction Services S0501 Construction of projects abroad by Indian companies including import of goods at project site abroad S0502 cost of construction etc. of projects executed by foreign companies in India. 06 Insurance and Pension Services 07 Financial Services S0601 S0602 S0603 S0605 S0607 S0608 S0609 S0610 S0611 S0612 S0701 S0702 S0703 Life Insurance premium except term insurance Freight insurance relating to import & export of goods Other general insurance premium including reinsurance premium; and term life insurance premium Auxiliary services including commission on insurance Insurance claim Settlement of non-life insurance; and life insurance (only term insurance) Life Insurance Claim Settlements Standardised guarantee services Premium for pension funds Periodic pension entitlements e.g. monthly quarterly or yearly payments of pension amounts by Indian Pension Fund Companies. Invoking of standardised guarantees Financial intermediation, except investment banking - Bank charges, collection charges, LC charges etc. Investment banking brokerage, under writing commission etc. Auxiliary services charges on operation & regulatory fees, custodial services, depository services etc. Page 6 of 18

7 Gr. No. 08 Group Name Telecommunic ation, Computer & Information Services Code S0801 S0802 S0803 S0804 S0805 S0806 S0807 S0808 S0809 Hardware consultancy/implementation Software consultancy / implementation Data base, data processing charges Repair and maintenance of computer and software News agency services Other information services- Subscription to newspapers, periodicals Off-site software imports Telecommunication services including electronic mail services and voice mail services Satellite services including space shuttle and rockets etc. 09 Charges for the S0901 Franchises services use of S0902 Payment for use, through licensing arrangements, of produced intellectual originals or prototypes (such as manuscripts and films), patents, property n.i.e copyrights, trademarks and industrial processes etc. 10 Other Business S1002 Trade related services commission on exports / imports Services S1003 Operational leasing services (other than financial leasing) without operating crew, including charter hire- Airlines companies S1004 S1005 S1006 S1007 S1008 S1009 S1010 S1011 S1013 S1014 S1015 S1016 S1017 S1018 S1020 S1021 S1022 S1023 S1099 Legal services Accounting, auditing, book-keeping services Business and management consultancy and public relations services Advertising, trade fair service Research & Development services Architectural services Agricultural services like protection against insects & disease, increasing of harvest yields, forestry services. Payments for maintenance of offices abroad Environmental Services Engineering Services Tax consulting services Market research and public opinion polling service Publishing and printing services Mining services like on site processing services analysis of ores etc. Commission agent services Wholesale and retailing trade services. Operational leasing services (other than financial leasing) without operating crew, including charter hire- Shipping companies Other Technical Services including scientific/space services. Other services not included elsewhere Page 7 of 18

8 Gr. No. Group Name Code 11 Personal, S1101 Audio-visual and related services like Motion picture and video tape Cultural & production, distribution and projection services. Recreational services S1103 Radio and television production, distribution and transmission services S1104 Entertainment services S1105 Museums, library and archival services S1106 Recreation and sporting activities services S1107 Education (e.g. fees for correspondence courses abroad ) S1108 Health Service (payment towards services received from hospitals, doctors, nurses, paramedical and similar services etc. rendered remotely or on-site) S1109 Other Personal, Cultural & Recreational services 12 Govt. not S1201 Maintenance of Indian embassies abroad included elsewhere S1202 Remittances by foreign embassies in India (G.n.i.e.) 13 Secondary S1301 Remittance for family maintenance and savings Income S1302 Remittance towards personal gifts and donations S1303 Remittance towards donations to religious and charitable institutions abroad S1304 Remittance towards grants and donations to other governments and charitable institutions established by the governments. S1305 Contributions/donations by the Government to international institutions S1306 Remittance towards payment / refund of taxes. S1307 Outflows on account of migrant transfers including personal effects 14 Primary S1401 Compensation of employees Income S1402 Remittance towards interest on Non-Resident deposits (FCNR(B)/NR(E)RA, etc.) S1403 Remittance towards interest on loans from Non-Residents (ST/MT/LT loans) e.g. External Commercial Borrowings, Trade Credits, etc. S1405 Remittance towards interest payment by ADs on their own account (to VOSTRO a/c holders or the OD on NOSTRO a/c.) S1408 Remittance of profit by FDI enterprises in India (by branches of foreign companies including bank branches) S1409 Remittance of dividends by FDI enterprises in India (other than branches) on equity and investment fund shares S1410 Payment of interest by FDI enterprises in India to their Parent company abroad. S1411 Remittance of interest income on account of Portfolio Investment in India S1412 Remittance of dividends on account of Portfolio Investment in India on equity and investment fund shares Page 8 of 18

9 Gr. No. Group Name Code 15 Others S1501 Refunds / rebates / reduction in invoice value on account of exports S1502 Reversal of wrong entries, refunds of amount remitted for nonexports S1503 Payments by residents for international bidding S1504 Notional sales when export bills negotiated/ purchased/ discounted are dishonored/ crystallised/ cancelled and reversed from suspense account S1505 Deemed Imports (exports between SEZ, EPZs and Domestic tariff areas) 16 Maintenance and repair services n.i.e S1601 S1602 Payments on account of maintenance and repair services rendered for Vessels, ships, boats, warships, etc. Payments on account of maintenance and repair services rendered for aircrafts, space shuttles, rockets, military aircrafts, helicopters, etc. 17 Manufacturing services (goods for processing) S1701 Payments for processing of goods Page 9 of 18

10 B. Receipt s (for use in BOP file) Gr. No. 00 Group Name Capital Account Code P0017 P0019 P0028 P0029 P0099 Financial Account Foreign Direct P0003 Investment P0004 Foreign Portfolio Investment P0005 P0006 P0007 P0008 P0001 P0002 P0009 P0010 Receipts on account of Sale of non-produced non-financial assets (Sale of intangible assets like patents, copyrights, trademarks etc., land acquired by government, use of natural resources) Government Receipts on account of Sale of non-produced non-financial assets (Sale of intangible assets like patents, copyrights, trademarks etc., use of natural resources) Non-Government Capital transfer receipts (Guarantee payments, Investment Grant given by the government/international organisation, exceptionally large Non-life insurance claims including claims arising out of natural calamity) - Government Capital transfer receipts ( Guarantee payments, Investment Grant given by the Non-government, exceptionally large Non-life insurance claims including claims arising out of natural calamity) Non-Government Other capital receipts not included elsewhere Repatriation of Indian Direct investment abroad (by branches & wholly owned subsidiaries and associates) in equity shares Repatriation Indian Direct investment abroad (by branches & wholly owned subsidiaries and associates) in debt instruments Repatriation of Indian investment abroad in real estate Foreign Direct Investment made by overseas Investors in India in equity shares Foreign Direct Investment made by overseas Investors in India in debt instruments. Foreign Direct Investment made by overseas Investors in India in real estate Repatriation of Indian Portfolio investment abroad in equity capital (shares) Repatriation of Indian Portfolio investment abroad in debt instruments. Foreign Portfolio Investment made by overseas Investors in India in equity shares Foreign Portfolio Investment made by overseas Investors in India in debt Instruments. External Commercial Borrowings Short term credits P0011 P0012 P0013 Repayment of loans extended to Non-Residents Long & medium term loans, with original maturity of above one year, from Non-Residents to India (External Commercial Borrowings) Short term loans with original maturity upto one year from Non- Residents to India (Short-term Trade Credit) Page 10 of 18

11 Gr. No. Group Name Banking Capital Financial Derivatives and Others External Assistance 01 Exports (of Goods) Code P0014 P0015 P0016 P0020 P0021 P0022 P0024 P0025 P0101 P0102 P0103 P0104 P0105 Receipts o/a Non-Resident deposits (FCNR(B)/NR(E)RA, etc.) {ADs should report these even if funds are not swapped into Rupees} Loans & overdrafts taken by ADs on their own account. (Any amount of loan credited to the NOSTRO account which may not be swapped into Rupees should also be reported) Purchase of a foreign currency against another currency. Receipts on account of margin payments, premium payment and settlement amount etc. under Financial derivative transactions Receipts on account of sale of share under Employee stock option Receipts on account of other investment in ADRs/GDRs External Assistance received by India e.g. Multilateral and bilateral loans received by Govt. of India under agreements with other govt. / international institutions. Repayments received on account of External Assistance extended by India Value of export bills negotiated / purchased/discounted etc. (covered under GR/PP/SOFTEX/EC copy of shipping bills etc.) Other than Nepal and Bhutan Realisation of export bills (in respect of goods) sent on collection (full invoice value) Other than Nepal and Bhutan Advance receipts against export contracts, which will be covered later by GR/PP/SOFTEX/SDF other than Nepal and Bhutan Receipts against export of goods not covered by the GR /PP /SOFTEX /EC copy of shipping bill etc. (under Intermediary/transit trade, i.e., third country export passing through India Export bills (in respect of goods) sent on collection other than Nepal and Bhutan P0107 Realisation of NPD export bills (full value of bill to be reported) other than Nepal and Bhutan P0108 Goods sold under merchanting / Receipt against export leg of merchanting trade* P0109 Export realisation on account of exports to Nepal and Bhutan, if any 02 Transport P0201 Receipts of surplus freight/passenger fare by Indian shipping companies operating abroad P0202 Receipts on account of operating expenses of Foreign shipping companies operating in India P0205 Receipts on account of operational leasing (with crew) Shipping companies P0207 Receipts of surplus freight/passenger fare by Indian Airlines companies operating abroad. P0208 Receipt on account of operating expenses of Foreign Airlines companies operating in India P0211 Receipt on account of operational leasing (with crew) Airlines companies P0214 Receipts on account of other transportation services (stevedoring, Page 11 of 18

12 Gr. No. Group Name Code demurrage, port handling charges etc).(shipping Companies) P0215 Receipts on account of other transportation services (stevedoring, demurrage, port handling charges etc).( Airlines companies) 02 Transport P0216 Receipts of freight fare -Shipping companies operating abroad P0217 Receipts of passenger fare by Indian Shipping companies operating abroad P0218 Other receipts by Shipping companies P0219 Receipts of freight fare by Indian Airlines companies operating abroad P0220 Receipts of passenger fare Airlines P0221 Other receipts by Airlines companies P0222 Receipts on account of freights under other modes of transport (Internal Waterways, Roadways, Railways, Pipeline transports and Others) P0223 Receipts on account of passenger fare under other modes of transport (Internal Waterways, Roadways, Railways, Pipeline transports and Others) P0224 Postal & Courier services by Air P0225 Postal & Courier services by Sea P0226 Postal & Courier services by others 03 Travel P0301 Purchases towards travel (Includes purchases of foreign TCs, currency notes etc over the counter, by hotels, Emporiums, institutions etc. as well as amount received by TT/SWIFT transfers or debit to Non-Resident account). P0302 Business travel P0304 Travel for medical treatment including TCs purchased by hospitals P0305 Travel for education including TCs purchased by educational institutions P0306 Other travel receipts P0308 Foreign Currencies/TCs surrendered by returning Indian tourists. 05 Construction Services P0501 Receipts on account of services relating to cost of construction of projects in India P0502 Receipts on account of construction works carried out abroad by Indian Companies 06 Insurance and P0601 Life Insurance premium except term insurance Pension P0602 Freight insurance relating to import & export of goods Services P0603 Other general insurance premium including reinsurance premium; and term life insurance premium P0605 Auxiliary services including commission on insurance P0607 Insurance claim Settlement of non-life insurance; and life insurance (only term insurance) P0608 Life insurance claim settlements (excluding term insurance) received by residents in India P0609 Standardised guarantee services P0610 Premium for pension funds Page 12 of 18

13 Gr. No. Group Name Code P0611 Periodic pension entitlements e.g. monthly quarterly or yearly payments of pension amounts by Indian Pension Fund Companies. P0612 Invoking of standardised guarantees 07 Financial Services P0701 Financial intermediation except investment banking Bank charges, collection charges, LC charges, etc. P0702 Investment banking brokerage, under writing commission etc. P0703 Auxiliary services charges on operation & regulatory fees, custodial services, depository services etc. 08 Telecommunica P0801 Hardware consultancy/implementation tion, Computer & Information P0802 Software consultancy/implementation (other than those covered in SOFTEX form) Services P0803 Data base, data processing charges P0804 Repair and maintenance of computer and software P0805 News agency services P0806 Other information services- Subscription to newspapers, periodicals, etc. P0807 Off-site Software Exports P0808 Telecommunication services including electronic mail services and voice mail services P0809 Satellite services including space shuttle and rockets, etc. 09 Charges for the P0901 Franchises services use of P0902 Receipts for use, through licensing arrangements, of produced intellectual originals or prototypes (such as manuscripts and films), patents, property n.i.e copyrights, trademarks, industrial processes, franchises etc. 10 Other Business P1002 Trade related services commission on exports / imports Services P1003 Operational leasing services (other than financial leasing) without operating crew, including charter hire- Airlines companies P1004 Legal services P1005 Accounting, auditing, book keeping services P1006 Business and management consultancy and public relations services P1007 Advertising, trade fair service P1008 Research & Development services P1009 Architectural services P1010 Agricultural services like protection against insects & disease, increasing of harvest yields, forestry services. P1011 Inward remittance for maintenance of offices in India P1013 Environmental Services P1014 Engineering Services P1015 Tax consulting services P1016 Market research and public opinion polling service P1017 Publishing and printing services P1018 Mining services like on site processing services analysis of ores etc. P1019 Commission agent services P1020 Wholesale and retailing trade services. P1021 Operational leasing services (other than financial leasing) without operating crew, including charter hire- Shipping companies Page 13 of 18

14 Gr. No. Group Name Code P1022 Other Technical Services including scientific/space services. P1099 Other services not included elsewhere 11 Personal, Cultural & P1101 Audio-visual and related services like Motion picture and video tape production, distribution and projection services. Recreational services P1103 Radio and television production, distribution and transmission services P1104 Entertainment services P1105 Museums, library and archival services P1106 Recreation and sporting activity services P1107 Educational services (e.g. fees received for correspondence courses offered to non-resident by Indian institutions) P1108 Health Service (Receipts on account of services provided by Indian hospitals, doctors, nurses, paramedical and similar services etc. rendered remotely or on-site) P1109 Other Personal, Cultural & Recreational services 12 Govt. not P1201 Maintenance of foreign embassies in India included elsewhere P1203 Maintenance of international institutions such as offices of IMF mission, World Bank, UNICEF etc. in India. (G.n.i.e.) 13 Secondary P1301 Inward remittance from Indian non-residents towards family Income maintenance and savings P1302 Personal gifts and donations P1303 Donations to religious and charitable institutions in India P1304 Grants and donations to governments and charitable institutions established by the governments P1306 Receipts / Refund of taxes P1307 Receipts on account of migrant transfers including Personal 14 Primary Income P1401 P1403 P1405 P1408 P1409 P1410 P1411 P1412 P1499 Effects Compensation of employees Inward remittance towards interest on loans extended to nonresidents (ST/MT/LT loans) Inward remittance towards interest receipts of ADs on their own account (on investments.) Inward remittance of profit by branches of Indian FDI Enterprises (including bank branches) operating abroad. Inward remittance of dividends (on equity and investment fund shares) by Indian FDI Enterprises, other than branches, operating abroad Inward remittance on account of interest payment by Indian FDI enterprises operating abroad to their Parent company in India. Inward remittance of interest income on account of Portfolio Investment made abroad by India Inward remittance of dividends on account of Portfolio Investment made abroad by India on equity and investment fund shares Other income receipts Page 14 of 18

15 Gr. No. Group Name Code 15 Others P1501 Refunds / rebates on account of imports P1502 Reversal of wrong entries, refunds of amount remitted for nonimports P1503 Remittances (receipts) by residents under international bidding process. P1505 Deemed Exports ( exports between SEZ, EPZs and Domestic Tariff Areas) 16 Maintenance and repair services n.i.e P1601 P1602 Receipts on account of maintenance and repair services rendered for Vessels, Ships, Boats, Warships, etc. Receipts of maintenance and repair services rendered for aircrafts, Space shuttles, Rockets, military aircrafts, etc. 17 Manufacturing services P1701 Receipts on account of processing of goods Page 15 of 18

16 Gr. No. 99 C. Cover Page Codes (for use in QE file) Group Name Cover Page Total Cover Page Balance Code P0091 P0092 P0093 P0094 P0095 P0100 P0144 P1590 P1591 S0091 S0092 S0093 S0094 S0095 S0144 S0190 S0191 S1590 S1591 P2088 P2199 S2088 S2199 Purchase from Reserve Bank of India (Currency-wise Totals) Purchase from other ADs in India (Currency-wise Totals) Purchase from Overseas banks & correspondents (Currency-wise Totals) debit from the vostro a/c of overseas bank or correspondents (Country-wise Totals) Aggregate Purchases at Branches (Currency-wise Totals) Exports (Totals) {N/P/D + Collection bills Realised during Fortnight + Advance received during Fortnight} (Purchases from Public against exports (Currency-wise Totals)} Purchases from Public against third country exports (Currency-wise Totals) receipts below Rs. 5 lakhs (Currency-wise Totals) Non-Exports equivalent & above Rs.5 lakhs (Currency-wise Totals) Sales to Reserve Bank of India (Currency-wise Totals) Sales to other ADs in India (Currency-wise Totals) Sales to Overseas banks & correspondents (Currency-wise Totals) credit to the vostro a/c of overseas bank or correspondents (Country-wise Totals) Aggregate Sales at Branches (Currency-wise Totals) Sales to Public against Imports into other countries (Currency-wise Totals) Imports below Rs.5 lakhs(currency-wise Totals) Imports equivalent & above Rs.5lLakhs (Currency-wise Totals) Non-Imports payment below Rs 5 lakhs (Currency-wise Totals) Non-Imports equivalent & above Rs.5 lakhs (Currency-wise Totals) Opening Balance (Debit Balance in Mirror/Debit Balance in Vostro) Closing Balance (Debit Balance in Mirror/Debit Balance in Vostro) Opening Balance (Credit Balance in Mirror/Credit Balance in Vostro) Closing Balance (Credit Balance in Mirror/Credit Balance in Vostro) * - Merchanting here refers to purchase/sale of goods from/to a non-resident combined with subsequent resale of the same goods to another non-resident without goods being present in the compiling economy (resident s economy). Essentially, goods transaction would be termed as merchanting if goods acquired do not enter the territory of the compiling (resident s) economy and secondly, goods being acquired do not undergo any transformation before being resold or repurchased Page 16 of 18

17 Annex II: FETERS File Layouts 1. BANKCODE_BOP6.TXT relating to transactions involving sale and purchase of foreign exchange (excluding inter-office, inter-bank, RBI transactions) during the reporting fortnight Field Format Remarks AD Code Char (7) BSR Part-1 Uniform Code Fortnight-end Date YYYYMMDD Transaction Date YYYYMMDD Valid date within fortnight Serial No. Num. (4) Code Char (5) code starting with P/S (Part A/B of Annex I) Country Code Char (2) SWIFT code Currency Code Char (3) SWIFT code Amount [in Foreign Currency (FC)] Num. (15) Date of Shipment YYYYMMDD LC char (1) 1 for Yes; 0 for No Country of Vostro a/c Holder char (2) SWIFT code 2. BANKCODE_ENC.TXT relating to physical exports, bills in respect of which were negotiated, purchased, discounted or sent for collection during the reporting period Field Format Remarks A.D. Code Char (7) Fortnight-end date YYYYMMDD Date of Negotiation YYYYMMDD Bill Number Char (7) Internal to the Bank (e.g. N000001) Importer Exporter Code Char (10) As given by DGFT GR/PP/SOFTEX Form Number Char (8) e.g. AA (for EDI transactions, pl indicate ZZ) Shipping Bill Number Char (13) EDI transactions: 7-digit Shipping bill preceded by 6-digit port code (e.g.,innsa ) Non-EDI transactions: 7-digit Shipping bill preceded by 6 zeros (e.g., ) Shipping Bill Date YYYYMMDD Custom Serial Number Char (14) 6-digit port code + 2-digit calendar year of export + 6-digit Serial No. Currency Char (3) Invoice Value (in Currency) Num. (15) Country of Destination Char (2) Page 17 of 18

18 3. BANKCODE_SCH3TO6.TXT (Schedules 3 to 6) relating to exports where full / part value has been realised / received in advance [Sch.3: Realisation of Full amount (bill sent for collection); Sch.4: Realisation of Partial amount (bill sent for collection); Sch.5: Receipt of full advance; Sch.6: Receipt of partial advance] Field Format Remarks A.D. Code Char (7) Fortnight-end date YYYYMMDD Transaction Date YYYYMMDD Bill Number Char (7) GR/PP/SOFTEX Form Char (8) Number Shipping Bill Number Char (13) Shipping Bill Date YYYYMMDD Currency Char (3) Invoice Value Num. (15) Realised Value Num. (15) Country of Destination Char (2) Schedule No. Char (1) e.g. 5 for Schedule 5 4. BANKCODE_QE.TXT for Cover Page Totals Field Format Remarks A.D. Code Char (7) Fortnight-end date YYYYMMDD Serial Number Num. (4) Code Char (5) As per Part C of Annex I Country of Vostro A/c holder Char (2) Currency Char (3) Amount in Currency Num. (15) Return (Vostro/Nostro) Char (1) V for Vostro; N for Nostro Page 18 of 18

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